Corporate Finance - Ch 13 - Return, Risk, and the Security Market Line
in Finance
Created by
Dr. Mahmoud Abusaa د. محمود ابوصاع
About this course
Corporate Finance - Ch 13 - Return, Risk, and the Security Market Line
This course will help you understand the following:
1) How to calculate expected returns, variance, and standard deviation
2) The impact of diversification
3) The systematic risk principle
4) The security market line and the risk-return trade-off
Comments (2)
Fatima al
Student
28 Jan 2024 | 11:19 am
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Documents
1 Parts
PDF File
5.2 MB
Videos
2 Parts
Video 1
86.27 MB
Video 2
91.24 MB
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